This short-selling long-term strategy identifies assets with a current price that's above its 200-day moving average, but, significantly, remains below its 50-day, 21-day, 10-day, 5-day and 3-day moving averages.
This moderate risk mid-term strategy seeks out companies with Total Assets in excess of $700 million, Short Term Debt of under $30 million and Revenue in excess of $1 billion.